Curriculum

8 months that will focus your potential

The Master of Financial Risk Management is a full-time program that runs from September to April.

The program, in brief

September to November, five courses

Market Risk

Financial Markets, Risk and Institutions

Regulation of Financial Institutions

Operational Risk

Probabilistic Modeling for Risk-Informed Decisions

December to January: Risk Management Project

The integrated Risk Management Project is a major research project involving a risk management issue that is relevant and of interest to financial institutions. Students will work closely with practicing risk management professionals, while receiving oversight from faculty mentors. They will present their findings to practitioners, fellow students and faculty in early February.

Throughout the program there will be presentations (both as part of scheduled classes and outside scheduled classes) with practitioners working in different areas of risk management. Curriculum is subject to change.

Experiential Elements

The program includes a wide variety of experiential and online learning opportunities for you to participate in continuous learning, communication and collaboration.

The experiential coursework provides you with learning experiences that are: